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Simulations Plus Inc   (SLP)
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Simulations Plus Inc 's Yearly Net Cash Flow Growth 5 Years

 

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SLP Annual Net Cash Flow Growth

2020
2019
2018
2017
2016
Y / Y Annual Net Cash Flow Change 1756.29 % -36.11 % - - -
Annual Net Cash Flow (in millions $) $37.77 $2.03 $3.18 $-1.81 $0.00


Annual Net Cash Flow Growth Comment
Simulations Plus Inc 's Annual Net Cash Flow for the fiscal year ended 2020, more than doubled to 1756.29% to $37.77 millions, from $2.03 millions achieved a year ago. Simulations Plus Inc 's growrh rate for Net Cash Flow improved from -36.11 % decline in the fiscal year 2019.

Simulations Plus Inc Annual Income Statement




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Y/Y Annual Net Cash Flow Growth %

2020 Net Cash Flow
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